概要

Experienced finance professional adept at managing diverse responsibilities across various organizations. Proven track record in financial oversight, internal control implementation, and budget management. Notable roles include

Secours Islamic France (SIF) - Base Finance Officer
- Expertise in financial follow-up, monthly account closure, and compliance with government regulations.
- Effective cash flow management, forecasting, and meticulous handling of administrative expenses.
- Proficient in tax management, payroll administration, and internal/external audits.
- Strategic reporting support, ensuring adherence to donor requirements and facilitating external government dealings.

Pakistan Red Crescent Society (PRCS) - Finance Admin Officer
- Prepared comprehensive financial analyses, managed monthly account closures, and ensured adherence to payment protocols.
- Proactive oversight of bank-related tasks, including withdrawals, currency exchanges, and vendor payments.
- Successfully handled procurement processes, payroll management, and contributed to budgetary planning.

Sultan Mahmood Company (SMC) - Manager HR Finance
- Demonstrated proficiency in bank reconciliation, expense monitoring, and procurement of office supplies.
- Managed a significant transition to start a new business, showcasing adaptability and leadership.
- Implemented robust financial systems, supervised HR operations, and ensured compliance with company policies.

Bank Al-Falah Ltd - Manager Accounts Finance
- Oversaw procurement processes as per PPRA rules and managed daily GL monitoring.
- Expertise in preparing bank reconciliation statements, periodic tax statements, and processing bills to vendors.
- Played a crucial role in payroll processing and achieving business targets.

PharmEvo Pvt Ltd - Accounts Officer (Costing Section)
- Contributed to the accurate recording of purchases, reconciliation of petty cash, and processing of payroll.
- Demonstrated skills in costing, production reporting, and verification of quotations.

Rozgar Micro Finance Bank Ltd - Branch Officer (Accounts Department)
- Managed computerized accounts, loan disbursements, and daily clearing processes.
- Maintained records for branch extracts, with a focus on data backup and submission to the Head Office.
- Played a key role in loan adjustments, depreciation recording, and budget preparation.

Rehmani Enterprises - Accountant
- Proficient in tax statements, bank reconciliations, and processing payments to suppliers.
- Contributed to stock position management, preparation of trial balance, and overall ledger balancing.

With a consistent record of success, I bring a wealth of financial expertise, strategic planning, and operational efficiency to any dynamic organization.

工作经历

公司标识
Base Finance Officer
SECOURS ISLAMIC FRANCE
Nov 2022 - 代表 | Quetta, Pakistan

Prepare the Financial follow-up of SIF activities (expenses follow-up, budget follow-up)
Maintain up-to date knowledge of and implement national government requirements and regulations related to financial matters such as income tax, Sales Taxes etc
Monthly closure of the accounts (Check all invoices and writings, prepare the final excel file, match advances and group invoices, import the accounting in Saga).
Preparation of Monthly Closing Documents (Inventories, Bank Reconciliation,  etc) Ensure the respect of the procedures before any payment (validation form, etc)
Review all the payments documents for proper coding and supporting documents.
Prepare sending of accountancy archives to country office (edit packing list, follow up listing of archives)
Supervises the archiving of the accounting documents in the field and its transmission to the CO.
 
Managing the Cash flow:
Management of the Cashbox (Check the invoices, Process all advances, all payments, enter the information needed in the cashbook, daily/monthly inventory, weekly/monthly check, etc).
Prepare the Cash flow forecast after validation of Project.
Submit the cash forecast on HQ format to Admin Coordinator after consultation with other department
Record and follow up all administrative expenses in the Monthly Expenses Follow-up.
Cross check the monthly payroll for all staff.
Organize and ensure the withdrawals from the bank, the money changing and transfers to field bases
Follow-up all documents concerning the bank (local funds received, transfer request letters, etc.).
Ensures good relations with the bank, investigates and acts as an advice about bank procedures.
Prepares requests for the bank (financial operations, administrative management of SIF accounts).
Ensure advance request/BCI is prior validated/approved by budget holder before doing any cash payment.
 
Tax Management:
Ensure that withholding Income & Sales Tax deductions are as per Govt of Pakistan rules and deposited to Government
Deduct Withholding Taxes and submit to Government as per Government Rules.
Ensure that monthly withholding Taxes returns submitted to Govt. on time.
Ensure that filing of annual Tax return along with filing of annual accounts to Govt.
 
Payroll Management:
Work with HR department for processing of Monthly Payroll
Ensure the Salary charging is correctly done
Deduct salary tax on staff salaries and gratuity
Properly maintain the Gratuity sheet 
 
Internal and External Audits
Assist Admin Coordinator in Preparation of the financial reporting and audit documentation.
Ensure Internal control audits, and initiate and implement actions necessary to correct weaknesses.
Perform physical Inventory check of all offices after every six months or at least annually.
 
Reporting: Assist in closing of accounts and preparation of monthly expense report.
Prepare Monthly BFUs related to the base.
Provide support to prepare annual and quarterly work plans and reports
Assist Admin Coordinator in donor reporting
Assist Country HR in compilation of HR report.
Keep updated both the line managers “administrative & Technical” about ongoing activities and future plan of work.
Submission of weekly and monthly plan to line managers.
 
External Govt Dealing:
Coordinate with Home & Tribal Affair department & Interior Ministry to provide requisite documentation for organization MOU and Expatriate travel NOCs.
Provide the necessary information to Administrative Coordinator to ensure compliance with National regulations with respect to administrative matters (e.g. registration, taxation and labour laws), especially when changes occurs in the procedures.
Manage, follow-up and report to Coordinator Administrator the legal procedures and documents requirements (visa, stay permit, travel permit, departure and arrival procedures) for all national and international staff.

公司标识
Admin & Finance Oficer
PAKISTAN RED CRESENT SOCEITY
Jul 2017 - Oct 2022 | Quetta, Pakistan

Construction/Renovation of Buildings/Quarters
Construction/Repair/Maint of Roads
Instalation of of Severage Lines
Paint/Distemper of Office Buildings

公司标识
Manager HR & Finance
Sultan Mahmood & Company
Sep 2011 - Jul 2017 | Karachi, Pakistan

Preparation of Bank Reconciliation Statement, Monitoring of All General & Admin Expenses, Preparation of Monthly Expense Statement, - Evaluation of Properties with Evaluators for issuance of Bank Guarantees, Processing of Bills & Vouchers, monitoring of all Office files and Vouchers, Procurement of Office Supplies & Fixed Assets, Maintaining of office record & Filing
 
In Dec 2012 I had been transferred to Karachi to start their new business named as Noorani Grill restaurant having construction/renovation work costing Rs. 20Mil with complete Managing staff of 120 people including deployment of POS software,
 
procurement of all restaurant relevant items and complete renovation of building to start work within 4 months.
 
Maintain the Software up-to-date to record all financial transactions, To supervise the deletion/edition of old record, To maintain all Ledgers in software up to date, To ensure the deposit/withdraw of Cash from Bank, To reconcile Bank Account with Bank and H.O, To supervise the control of petty cash as per rules, To ensure the book keeping of store documents of raw material as per office record, Liaison with all vendors/suppliers and preparation of vendor P/A reports, Preparation of monthly financial reporting, To manage all office staff and assign task on daily basis, Preparation of stock report weekly plan to Directors, To manage the all restaurant maintenance, To ensure the updation of all documents/files/software to prepare for quarterly for audit, Monthly balance of all accounts, Preparation of Weekly staff Hiring/Firing Report to H.O, To rechecking the payroll sheet in all respect
 
Planning and designing employees benefit packages.  
Executing the employee's annual review procedures.  
Maintaining a detailed record of the company’s employees.  
Administering all the hiring processes of new employees.  
Analyzing and monitoring all the department's budgets.  
Supervising the day-to-day operations of the Human Resources department.  
Ensuring all the employees comply with the HR policies.  
Implementing/creating HR policies and updating the existing ones.  
Overseeing the employee's termination process.  
Counseling employees as and when required.  
Conducting exit interviews to identify the reason for termination/resignation.  
Managing workplace safety issues and complaints.  
Maintaining and recording employee attendance.  
Adhering to all the company’s rules and regulations. 
Compile attendance of regular/Contractual staff and Permanent workers.
Mark Official duties, Short Leaves, late arrivals, early outs,time in and time out.

公司标识
Accounts Officer
Bank Alfalah Limited
Nov 2008 - Sep 2011 | Quetta, Pakistan

Prepare Daily Position, Product Sheet, Balancing of all GL A/Cs (Sundry and Prepaid) , Preparation of Bank Reconciliation Statement , Provisioning of All Expenses
Depreciation Recording, Preparation of Bank Reconciliation Statement, Periodical W/H & Sales Tax Statements (Monthly, Quarterly, Yearly), Monitoring of All General Ledgers on daily basis, Processing of Bills to Vendors, Monitoring of all Expenses within Budgetary Limits, Responsible to Renewal Maintenance Contracts & Insurances.
- Payroll Processing, Actual Business Achievement on Last Day of Month (MS Excel)

公司标识
Accounts Officer
Pharmevo Pakistan Ltd
Sep 2008 - Nov 2008 | Karachi, Pakistan

Purchase Recording - Journal Voucher Posting after Retirement of LCs, Feeding of Landed Cost Sheet in “Supply Chain Management , Reconciliation of Petty cash on monthly basis, Processing of All H.O Staff & Factory Staff Payroll, Production Report Month wise, Preparation & calculation of Monthly Sales & Other Commission, Verification of Quotations with Offer Letter & finalization.

公司标识
Branch Officer
Rozgar MicroFinance Bank Ltd
Nov 2006 - Sep 2008 | Quetta, Pakistan

Computerized Accounts, Account Opening , i.e BRN, LMF Disbursement, (Loan Micro Finance), Book Keeping.(Voucher Reg, Safe In/Out, Security Stationary Reg), Vouchers Posting/General Transactions, Outward/Inward Clearing, Maintenance of Pay Orders Register and Issuance, Maintenance of Cheque Book Issue Register , Daily Position Report (Last Working Day Branch Summary), Withholding Tax Deduction & W/H Tax Monthly Statement, Record Keeping of Branch Extracts for onward submission to H. Office., Submission of Data Backup on Daily Basis to Head Office, Disbursement Correspondence, Loan Adjustment., Load Outstanding Report on Excel using PIBAS
Depreciation Recording of All Branch Level Assets & Pass All Gen. Entries
Maintaining of Record of Purchasing / Selling of Assets to/from Branches. Projected Budget Preparation for all Branches, Monitoring of Expenses of all Branches, Preparation of Salaries of all Branches, Payments to Suppliers , Provision of Stationery Printed & Security to all Branches.

公司标识
Accountant
Rehmani Enterprises
May 2005 - Nov 2006 | Karachi, Pakistan

Tax Statements, Stock Positions, Bank Reconciliations Statements, Balancing of All Customer Ledgers , Maintenance of Cash Book & Petty Cash vouchers, Record Keeping of Stationery , Preparation Trail Balance, Balancing of Ledgers, Processing of Bills and make Payment Orders to all our Suppliers

学历

PICS - Pakistan Institute of Computer Sciences
大专, DIT‎
Information Technology
Completed
2016
Pakistan Institute of Management
证书, Certified Professional Accountant‎
Accounting & Finance
Completed
2012
Virtual University of Pakistan
硕士, 工商管理硕士学位, Masters in Business Administration‎
Internet Applications
CGPA 2.5/4
2010
University of Karachi
学士, 贸易学士, Bachelors in Commerce‎
Commerece
CGPA /0
2005
Karachi inter board of education
中级/A级, , ‎
Medical
2003
Matriculation Sind Board of Secondary Education
大学入学/0级, , ‎
General Science
所占比重 60%
1999

技能

熟练 4 Knowledge of Taxation
熟练 Accounting Knowledge
熟练 Accounting Principles
熟练 Accounts Payable
熟练 Accounts Receivable Command
熟练 Accounts Receivable Software Command
熟练 Admin Task Planning
熟练 Administrative Skills
中级 Agriculture Knowledge
熟练 Analytical Thinking
中级 Audit Management
初学者 Audit Software Command
熟练 AX Dynamic ERP And Atlas Reporting
熟练 Balance Sheet Review
熟练 Bank Management
熟练 Bookkeeping Functions
熟练 Branch Accounting
熟练 Budget Forecasts
熟练 Budget Reconciliation
熟练 Budgeting And Reporting Skills
熟练 Business Management Solutions
熟练 Commercial Banking Knowledge
熟练 Commercial Retail Banking
熟练 Computer Proficient
中级 Corporate Finance
熟练 Data Warehouse Architecture
熟练 Donor Reporting
熟练 Effective Interpersonal Skills
熟练 Employee Data Management
熟练 Employee Relationship Management
熟练 ERP System
熟练 ERP Systems
熟练 ERP Systems Familiarity
熟练 Financial Accounting
熟练 Financial Analysis
熟练 Financial and Budgeting Skills
熟练 Financial Management
熟练 Financial Management Skills
中级 Financial Modeling
熟练 Financial Reconciliations
中级 Financial Service Management
熟练 Financial Statement Analysis
初学者 Financial Statement Auditing
熟练 Freight Management
中级 GAAP
熟练 GL Reconciliations
熟练 Handle Outbound Calls
熟练 Handling Assignments
初学者 Internal Audit Transformation
熟练 Internal Controls

语言

初学者 普什图语
熟练 旁遮普语
熟练 英语
熟练 乌尔都语

Muhammad 联系人

Abdul Waseh Gadhok
United Bank Limited (UBL)